EFTA00725865.pdf
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ECONOMIC DEVELOPMENT COMMISION ANNUAL REPORT
Fiscal/Calendar Year Ending
liake.„2/a/kt rttatrt
Financial Trust Company. Inc.
Gross Sales (Ineligible Sales) & Eligible for Tax Benefits ...
( $
)$
Other Income (Ineligible) & Eligible for Tax Benefits
( $
)$
Gross Wages Paid in the V.I. (Include vacation & sick pay, bonuses, overtime. etc.) 5
Average No. of Employees; Full Time & (Pan Time/Other)...
10
Average No. of Residents; Full Time & (Pan Time/Other)...
9
Average No. of Non-Residents; Full Time & (Part Time/Other)..
1
Other Employee Costs (Unemployment & health insunance, pension, allowance, etc.) $
Employee Income Taxes Paid and Withheld
S
December 31. 2009
Ps
100000
te, 5 -16947243
p3
718715
P. 3
207563
F3
TAXES AND DUTIES (Provide dollar amount paid, and value of exemption/refund for each tax)
Gross Receipts:
Real Property Tax:
Excise Taxes:
Income Taxes:
Customs Duties:
Other:
Amount Paid
Dollar Value of Exemption
Amount Paid
Dollar Value of Exemption
Total Paid
Dollar Value of Exemption/Refund
Total Paid
Dollar Value of Exemption/Refund
Total Paid
Dollar Value of Exemption/Refund
Hotel room taxes paid
Other Taxes, Fee Paid to V.I. Government
TOTAL TAXES PAID:
TOTAL VALUE OF EXEMPTIONS AND OR REFUNDS:
$
S
S
$
$
S
S
4000
Pl.. 1297
1297
4,000.00
EXPENDITURES FOR GOODS, SERVICES, PLANT & EQUIPMENT
Goods and Services:
Raw materials, components
Food. beverage
Freight Charges
Eligible Supplier
V.I. Suppliers
Non-Local
$
Totals
$
S
Insurance
2640
PS1..
12124
157- 3570
18334
Legal/ Accounting
€,,10 115143
r% c 382306 $
497449
Advertising / Promotion
s l
1798
S
1798
Utilities (tel., water, elect. etc.)
S 35952
35952
Interest & Other Bank Chg.
$
Supplies
Repairs/Maintenance
3709
VzLi 14454
P. 1 806 $
18969
C:.; 1521
0.:.; 4215
-
$
5736
Other (List Separately)
Pc:. 19000
eel 110425
Oft\ 395 $
129820
Subtotal, Goods and Svcs:
26870
294111
387077 $
708058
Capital Expenditures:
$
Building & Improvements
Leasehold Improvements
Machinery / Equipment
10455
$
10455
Fumiture / Fixtures
Vehicles
Other (List Separately)
$
Subtotal, Capital Expend:
10455
S
10455
GRAND TOTALS
26870
304566
387077 $
718513
CUMULATIVE CAPITAL EXPENDITURES UNDER EDC CERTIFICATE
705364
Name/Signature of Prepare,-
(Sognaluat)
Jeanne Brennan
(Onni Name)
Date:
Telephone Number:
EFTA00725865
FiscaUCalendar Year Ending
December 31, 2009
Company Name:
Financial Trust Company. Inc.
PLANT & EQUIPMENT -Other
V.I. Suppliers
Non-Local
52 1020
rt -1 395 $
Totals
1415
EXPENDITURES FOR
Goods and Services:
Dues and subscrilxions
Seminars and education
GOODS, SERVICES,
Eligible Supplier
P. 2 1328
1328
Postage and delivery
el. S 2284
$
2284
Travel and related
f,'. 6518
$
6518
Meals and transportaion
e; 7- 4311
$
4311
EDC Fees
ft.,-.. 19000
$
19000
Rent
r-;', , 93779
$
93779
Other expenses
it:. ' : 1185
1185
Subtotal, Goods and Svcs:
19000
110425
395 $
129820
EXPENDITURES FOR CHARITABLE CONTRIBUTIONS
V.I. Educational
V.I. Charity
Company
P Ce 25000
1- '' 14580
Foundation
Al
6000
f -- 6825
31000
21405
V.1. Foundation Funding
Totals
•
39580
r
12825
S
\
52405
EFTA00725866
EDC Annual Report 2009
Reconciliation of report to 1120S
Agreed to tax return
Agreed to EDC annual report
Total deductions on 1120S line 20
Tg
1,703,441.00
Expenditures per annual report
Reb
Gross wages paid in VI
718.715.00
Other employee cost
05 207.562.54
Taxes paid
,p,$ 191,453.84
less withholding
pkb (141.098.55)
976,632.83
Other tax and licenses
PU) 1,297.00
Goods and services
cs708,058.00
Reconciling items :
Expenses not on annual report (Expenses not in line 20)
Depreciation
Total dep and amortization
Non -deductible expense
50% TE
Med insurance non-ded
Rounding
4 t
(2,155.50)
41% (9,754.11)
29,362.00
(11.909.61)
Reconciled to Line 20 of Tax return
1.703.440.22
Difference
0.78
K-I zwim
K-I ptrships
K-I charitable deductions
not included on annual report
P i565
i7 939
1,504
1,504.00
Charitable contributions
t1/4k.1
FTC
39,580.00
Foundation
c\112,825.00
52.405.00
Reconciliation of line 1120 S to total expense in QuickBooks
Al
EFTA00725867
EDC Annual Report 2009
Reconciliation of report to 1120S
Total deductions on 1120S line 20
Aa
TR
1,703,441.00
Reconciling items -Expenses not on (on) line 20
Investment exp
67,646.00
67,646.00
UST interest
1,558.00
1,558.00
Short dividends
Management fees
55,362.00
55,362.00
Fee expense
162.00
Foreign taxes
1,755.00
271.98
2,026.98
K-1 Professional fees
50% lIE
Other expense
Non deductible
US taxes
Med insurance non-ded
2,155.54
15,340.00
2,155.50
498,515.00
9,754.21
Charitable contributions on the FTC financial statemetns
40,519.00
Expense reconciled to financial statement
2,396,479.69
Total operating expense per QuickBooks
Total depreciation (other expense per QuickBooks)
Total expense per QuickBooks
2,367,117.46
29,362.00
2,396,479.46
Difference
0.23
EFTA00725868
FTC
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so.m 444..44
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10,447.13
4a440144
411.401.0
30.646.42
141.134111.66
.$41.6611.16
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4.77•42
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1540.13
10,447.19
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30.546.42
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M inotal•
1317.10
40 991.66
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Taal Implare Taus and Coatolmaars
OUtl.20
191.41.114
Nat,
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44,132.>.
MN . Cat,
la Palotallos
MON • Macabrely. cas«
MinliiiallaPPoOPP
44,11US
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Sawa, 144,44•1611m1.6141)
147.1
!IRA conwlbullai
minim
032 10176
Other 4.4444. Pula
207034
207,60264
4032.76
9711,613.60
Total eirfroyee
Wittholang
1117.731.73
•141,090.65
E coense pot GL
976,163.18
{049)
Ja • WON
EFTA00725869
FTC
(DC Was ans104
Annual Ilicat
50010 Pared
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Told $0010
SION S.M..,
804.1.•Imbakd
54012 1/•mtar•lp
51002 Noon
51014 Cont.nurra
ligation
4 14•Iot44 Coat
1007 Coon Pay
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EFTA00725870
Fit
Summary of Income Reporting
12/31/2009
Income as reported on 1120S
Tax return
Annual report
Line la
Line 5
Schedule K
Schedule K Numbers
100,000.00
(15,300,946.00)
(1.646,297.00)
Interest
3,373,239.00
$ (16,847,243.00)
Dividends
5,622,209.00
Royalties
160,364.00
ST gain
(1,790,040.00)
Income as reported on the Annual report
LT loss
(9.703,372.00)
Line 5
(15,300,946.00)
Section 1231
1,288.00
Schedule K
(1.646.297.00)
Other income
690,015.00
Total other income
(16.947.243.00)
(1.646.297.00)
Income as reported on EDC annual report
Gross sales
100,000.00
Other income
(16,947,243.00)
$ (16,847,243.00)
Reconciliation of income to quickbooks
Income per OB
(257.499.09) With out Zwim per the PL
Zwim income
Ptrship exp &boated lo income
Reconciliation of income
Income per OB
Zwim expenses
Ptithip exp allocated to income
(12.758.631.00)
(3.831.117.00)
(16,847,247.09) reported on the annual report
to quickbooks
(18.169.745.09)
5.153.615.00
(3.831.117.00)
(16,847,247.09)
(4.09)
Zwim exposes included in the income number, as zwim is booked to in
AS
EFTA00725871
Type
Date
Num
Name
Amount
Eligible
VI
50600 Taxes (Taxes)
50601 • Franchise
Check
06/15/2009 3501
Government r
1,147.21
Check
06/15/2009 3502
Government <
150.00
Total 50601 Franchise
1,297.21
EFTA00725872
Type
Des
Num
Name
Amount
SPAS
VI
Nondeed
Total
Tax return Me
60150 • Charily
50151 • Partnerships
General Jot. 12/31/2009
93900
Total 50161 • ParMarsters
93900
50163. Charkrother
5013e • Education
Check
06/01/2000 3155
Frees of le $1.1banas Public Lbrarlss
5.00000
Chock
07/15/2009 3467
The St. Thomas Reformed Church
500100
Chock
10/20/2009 3496
Rudy Rutnk Schciarship Fund. Inc.
MOO
Check
10/20/2009 3496
Celiac Cherries of me V.I., Inc.
500000
Check
10/27/2009 3605
Joseph Sibily Elementary School PTA
503.00
Chock
10/27/2009 3506
Ride Stars Youth Steel Orchestra
600.00
Check
11/03/2009 3509
Antilles School. Inc.
3.00000
Check
12/15/2009 3613
.E.K.H.S. Guidance & Counseling Dept
5.25000
Total 5013s - Education
2500000
60153a • Events
Check
03/09/2009
04/16/2009
_
CAMS. Si. Thomas Lee CU)
76.00
Chock
Methocksi Church
103.00
Check
06/11/2009 3449
Uneersity of the Virgin Istende
200.00
Check
10/07/2009
Cash
100.00
Check
10120/2009 3499
St. Thomas-SL John Chamber of Conmert•
1.000.00
Check
11/0(/20093510
AO Sales Cathedral School-CDC
600.00 r .,
IP
Total 50153a Events
2075.00 ‘11
60/630 • Charitable
i rla 1
`tag
tY
Chock
10/20/2009 3492
Unked Way of St. Thomas•St. John
3.500.00
Check
10/20/2009 3493
Zero Tolerance Basketball Org. Inc.
2.000.00
Check
1020/21093494
Community Foundation el the V. I.
1.000.00
Cheek
10/20/2009 3496
Forney Resource Center. Inc.
2.50000
Check
12602/2009
V.I. Mcntossori SOMA Inc.
5.00
Check
12/15/2009 3615
Lutheran Social Services of the V.1.
300000
Total 50153c Ch a
12.506.00 19
Teal50153. Charily-other
39.68000
T018150160 - Chatty
40.51900
Zwlm
585
Tax return Nne 12a
41,084.00
K-1 entries
1,604.00
Expenditures
39,680.00
EFTA00725873
JEVIF
2009
VI contributions
1
1
1
1
11We
Date
Num
Name
Memo
Split
Debit
5000 • Charitable contributions
5140 • Contributions
5141 • Education
5141b • Private education
I
I
(Check
3/11/2009
2399
Antilles School
Financial support for tv 1001 • First Bank Op
6,000.00
Total 5141b • Private education
6,000.00
Total 5141 • Education
6,000.00
5142 • Chant:
Check
1/16/2009
2397
V. I. Tennis Asso. 2009 Davis Cup Spons 1001 • First Bank Op
5,000.00
Check
3/10/2009
2398
All Saints Cathedr 9th Annual Mardi Gras 1001 • First Bank Op
500
Check
3/18/2009
2400
Amateur Basketbr Trophies for 2008 Sum 1001 • First Bank Op
825
Check
7/14/2009
2476
The St. Thomas F,Educational Tour to Ch 1001 • First Bank Op
0
Check
7/22/2009
2477
Lutheran Church ?Youth Gathering
1001 • First Bank Op
500
Total 5142 • Charity
6,825.00
Total 5140 • Contributions
12 825 00
EFTA00725874
3:49 PM
09/20/10
Accrual Basis
Financial Trust Company, Inc.
Transactions by Account
As of December 31, 2009
Type
Date
Num
Name
Memo
Class
Cir
Split
Debit
Credit
Balance
15100 • Leasehold Improvements
Total 15100 . Leasehold Improvements
15200 • Furniture & Equipment
325527.10
325,527.10
276,880.08
15205 • Furniture & Furnishings (Office Furniture & Furnishing)
67.54067
Total 15205 • Furniture & Furnishings (Office Furniture & Furnishing)
67,549.67
15215. Shipping & Duties
7,938.46
Total 15215 • Shipping & Duties
7,938.46
15250. Office Equipment
201,391.95
Check
1/16/2009
3417
Caribbean Dataco...
New telepho...
10006 . First&.
9,000.00
210,391.95
Credit Card Charge
7/28/2009
PC Paradise, Inc.
Deposit for ...
25012 • Chas...
725.00
211,116.95
Credit Card Charge
8/11/2009
PC Paradise, Inc.
Inv. 4 37135:...
25012. Chas...
730.00
211,846.95
Total 15250 • Office Equipment
10,455.00
0.00
211,846.95
Total 15200 . Furniture & Equipment
10,455.00
0.00
287,335.08
15300 • Professional Fees
105,902.62
15305 • Architectural
35,618.85
Total 15305 • Architectural
35,618.85
15307 • Engineering
100.00
Total 15307 . Engineering
100.00
15308. Interior Designer
17,422.81
Total 15308 • Interior Designer
17,422.81
15309. • Legal
52,760.96
Total 15309. • Legal
52,760.96
Total 15300 - Professional Fees
105,90262
15500 • Accumulated Dep & Amortization
-399573.96
15501 • Depreciation
-346,813.00
General Journal
12/31/2009
V
70030 - Depre...
29,362.00
-376,175.00
Total 15501 • Depreciation
0.00
29,362.00
-376,175.00
15502 . Amortization
-52,760.96
Total 15502 • Amortization
-52,760.96
Total 15500 . Accumulated Dep & Amortization
0.00
29,362.00
-428,935.96
TOTAL
10,465.00
29,362.00
289,828.84
Page 1
EFTA00725875
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
50230 • Meals (Groceries)
Check
01/06/2009
East End Cale
14
14
Check
01/08/2009
Subway
5
5
Check
01/12/2009
East End Cale
14
14
Check
Check
01(30/2009
02/03/2009
Latta Cast (AYH)
570
570
East End Cale
14
14
Check
03/02/2009
Texas Pit
7
7
Check
03/02/2009
East End Cafe
7
7
Check
03/10/2009
East End Cafe
12
12
Check
03/11(2009
Molly Mobile's
13
13
Check
03/1112009
Caribbean Saloon
14
14
Check
03/12/2009
Lane Cart (AYH)
490
490
Check
Check
04/20/2009
04/20/2009
Texas Pii
10
10
_
East End Cale
11
11
Check
05/05/2009
Laths Cart (AYH)
753
753
Check
05/12(2009
Texas Pit
7
7
Check
05/18/2009
Texas Ph
10
10
Check
05/28/2009
Texas Pit
7
7
Check
06/01/2009
East End Cafe
14
14
Check
06/16/2009
Texas Pil
10
10
Check
06/18/2009
Latta Cart (AYH)
693
693
Check
06/22/2009
Subway
6
6
Check
06/23/2009
Texas Pit
7
7
Check
07/06/2009
Texas Pit
20
20
Check
07/13/2009
Texas Pit
10
10
Check
08/05/2009
East End Cale
16
16
Check
08/10(2009
Latta Can (AYH)
471
471
Check
09/22/2009
Subway
8
6
Check
09/28/2009
Texas Pit
7
7
Check
10/07(2009
Latta Carl (AYH)
329
329
Check
1th/15/2009
Audrey -Cake Lady
60
60
Check
10/15/2009
Caribbean Saloon
16
16
Check
10/15/2009
Rosario Spanish Food
21
21
Croat Cara C 10/15/2009
Johnny Mango's
24
24
Check
10/212009
East End Cafe
79
79
Check
10/29/2009
Sutmey
7
7
Check
Check
1W31/2009
Molly Molone's
18
16
11/02/2009
East End Cafe
16
16
Check
11/03/2009
East End Cafe
15
15
Check
11/04/2009
East End Cafe
16
16
Check
11/12)2009
East End Cafe
18
16
EFTA00725876
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Check
.iu•8/2009
Su
4
Check
11/20/2009
East End Cale
16
16
Check
11'24/2009
Letts Cart (AYH)
406
406
Check
12/2112009
East End Cale
16
16
Check
12/22/2009
Caribbean Saloon
21
21
Toler 50230 - Meals (Grocenea)
Check
12/28/2009
East End Cale
16
0
16
4.311
0
0
4,311
Line 19 statement 2
4,311.07
50060 - Membership Dues
50%
Check
07/14/2009 3466
AICPA
395
395
2,155.54
Credit Card C 07/27/2009
St. Thomas-St. John Chamber of Corn
500
500
Total 50060 • Membership Dues
896
0
500
396
o
0
50195 • Business License
I
I
I
Check
024:15/2009 3420
Government of the Virgin Islands
620
520
Total 50195 . Business License
I
520
0
520
0
0
0
I
50094 • Continuning Education
1,415
0
1,020
396
o Line 19 statement 2
Check
01/05/2009 3393
Virgin Islands Society ci CPA's
0
0
Check
02/07/2009 3419
it
in Islands Society of CPA's
968
968
Total 50094 • Contlnuning Education
_
Check
12/21/2009 3518
Virgin Islands Society of CPA's
360
360
1,328
0
o
1,328
Line 19 statement 2
-
50090 • insurance (Insurance)
Check
01/12/2009 3410
First Insurance Agency, Inc.
8,811
8,811
Check
01/122009 3410
First Insurance Agency. Inc.
226
226
Check
071142009 3484
Marshall & Sterling Insurance
2.640
2,640
Credit Card C 09/01/2009
First Insurance Agency. Inc.
3.489
3,489
Check
09/01'2009 3483
Insurance Office of Central Ohio
3.570
3,570
Total 50090 . Insurance (Insurance)
Check
10/27/2009 3507
First Insurance Agency. Inc.
8811
-9,214
8 811
General Jour 12/31'2009
2,640
-9,214
12,124
3,570
o
18,334
Line 19 sta ement 2
18,334
50160 • Repairs & Maintenance
748
Check
01/06/20093396
ADT - 38146
42
42
19,082
Check
01/06/2009 3398
Xerox CoporatIon • 100819598
49
49
Check
01/06/2009 3399
Xerox Corporation - 959551714
236
236
Check
01/08/2009 3409
Terminlx • USVI
65
65
Check
02/18/2009 3427
Sum McCurry
94
94
Credit Card
02/18/2009
TermIntx - USVI
es
65
Credit Card
03/05/2009
q
ADT - 38148
42
42
132.
EFTA00725877
FTC
Expenditures EDC Annual report 2009
1/Pe
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Credit Card C 03/05/2009
ADT - 38146
80
80
Credit Card C 03105/2009
Xerox Corporation - 959551714
236
236
Credit Card C 03/05/2009
Xerox Corporation • 100819598
53
53
Credit Card C 03/05/2009
Xerox Corporation - 100819598
181
181
Credit Card C 03/05/2009
ADT - 38146
42
42
Credit Card C 03/05/2009
Xerox Corporation - 959551714
236
236
Credit Card C 03/18/2009
Xerox Corporation - 100819598
53
53
Credit Card C 03/18/2009
Termlnbc - USVI
65
65
Credit Card C 04/15/2009
ADT - 38146
42
42
Credit Card C 04/15/2009
Xerox Corporation • 959551714
236
236
Credit Card C 04/16/2009
Teminix - USVI
66
65
Credit Card C 04/16/2009
Xerox Corporation - 100819598
53
53
Credit Card C 04/21/2009
Xerox Corporation - 959551714
236
236
Credit Card C 06/27/2009
ADT • 38146
42
42
Credit Card C 06/27/2009
Terminix - USVI
65
65
Credit Card C 06/10/2009
Xerox Corporation • 100819598
53
53
Credit Card C 06110/2009
Xerox Corporation • 100819598
88
88
Credit Card C 06/10/2009
Xerox Corporation • 959551714
236
236
Credit Card C 06/10/2009
Xerox Corporation • 100819598
as
53
Credit Card C 06/10/2009
Terminlx - USVI
es
65
Credit Card C 07/09/2009
ADT - 38146
42
42
Credit Card C 07/09/2009
I Xerox Corporation - 959551714
236
236
Credit Card C
Credit Card C
07/09/2009
07/14/2009
Xerox Corporation • 100819598
53
53
Terminix - usvt
es
65
Credit Card C 08/07/2009
Xerox Corporation - 959551714
236
236
Credal Card C 08/07/2009
ADT - 38146
42
42
Credit Card C 08/31/2009
Xerox Corporation • 100819598
53
53
Credl Card C 08/31/2009
Xerox Corporation • 100819598
133
133
Credi Card C 09/01/2009
Xerox Corporation - 959551714
236
236
Credit Card C 09/01/2009
ADT • 38146
42
42
Credit Card C 09/01/2009
ADT - 38146
80
80
Credit Card C 09/01/2009
Terrain& • USVI
65
65
Credit Card C 09/17/2009
Xerox Corporation - 100819598
53
53
Credit Card C 09/17/2009
Terrain& - USVI
65
65
Check
09/17/2009 3504
Guardian Protection Systems
0
Check
09/17/2009 3484
Guardian Protection Systems
80
80
Credit Card C 10/09/2009
ADT - 38146
42
42
Credit Card C 10/09/2009
Xerox Corporation • 959551714
236
236
Credit Card C 10/16/2009
Xerox Comer
- 100819598
53
53
Credn Card C 10/16/2009
Tenth* - USVI
65
65
Credit Card C 10/16/2009
Termlnix - USVI
40
40
Credit Card C 10/30/2009
Xerox Corporation • 959551714
236
236
B3
EFTA00725878
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
!
Non•Locol
Total
Tax return line
Credit Card C 11/13/2009
ADT • 38146
42
42
Credit Card C 11/13/2009
Terminix - USVI
es
65
Credit Card C 12/07/2009
Xerox Corporation • 100819598
53
53
Credit Card C 12/07/2009
Xerox Corporation - 100819598
173
173
Credit Card C 12/07/2009
Xerox Corporation - 959551714
236
236
Credit Card C 12/14/2009
AOT - 38146
42
42
Credit Card C
Credit Card C
12/14/2009
Temiinbc - USVI
65
65
12/14/2009
ADT - 38146
80
80
Credit Card C 12/15/2009
Xerox Corporation • 100819598
53
53
Credit Card C 12/1512009
ADT - 38146
38
38
Total 50160 • Repairs & Maintenance
Credit Card C 12/15/2009
ADT -38148
-38
-38
1,521
4,215
0
0
5,736
Line 9
50190 • Poetage,Dellvery,Exprese Mall
Check
01/08/2009 3397
Federal Express, LUSVI)
27
27
Check
01/06/2009 3397
Federal Express, (USVI)
76
76
Check
01/06/2009 3397
Federal Express, (USVI)
86
65
Check
01/06/2009 3397
Federal Express, (USVI
84
84
Check
01/06/2009
United States Postal Service
42
42
Deposit
01/13/2009
Loretta McDonald Morrell
-1
-1
Check
01/30,2009
United States Postal Service
54
54
Check
01/3002009
United Slates Postal Service
25
25
Credit Card C 02/10/2009
Federal Express, (USVI)
51
51
Credit Card C 02/1912009
Federal Express, (USVI)
53
53
Credit Card C 02/1012009
Federal Express, (USVI)
51
51
Cheek
02/27/2009
United States Postal Service
24
24
Credit Card C 03/03/2009
Federal Express, (USVI)
170
170
Credit Card C 03105/2009
Federal Express, (USVI)
21
21
Credit Card C 03/05/2009
Federal Express, (USVI)_
25
25
Credit Card C 03/05/2009
Federal Express, (USVI)
25
25
Check
03/26/2009
United States Postal Service
42
42
Credit Card C 04/08/2009
Federal Express, (USVI)
201
201
Credit Card C 04/09/2009
Federal Express, (USVI)
32
32
Credit Card C 04/09/2009
Federal Express, (USVI)
25
25
Credit Card C 04/09/2009
Federal Express, (USVI)
41
41
Credit Card C 04/16/2009
Federal Express, (USVI)
25
25
Credit Card C 04/20/2009
Federal Express4USVU
25
25
Credit Card C 04/21/2009
Federal Express, (USVI)
25
25
Check
04/29/2009
United States Postal Service
21
21
Check
05/14/2009
U.S. Postal Service
1
1
6`i
EFTA00725879
FTC
Expenditures E DC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Mon-Local
Total
Tax return line
Credit Card C 05/22/2009
Federal Express. (USVI)
20
20
Credit Card C 05/22/2009
Federal Express. aisvo
40
40
Credit Card C 05/22/2009
Federal Express. (USVI)
68
68
Credit Card C 05/22/2009
Federal Express, (USVI)
36
36
Deposit
05/27/2009 1568
Cede R de Jongh
-16
-16
Credit Card C 06102/2009
Federal Express. (USVI)
30
30
____ _
Credit Card C
Credit Card C
0602/2009
Federal Express. (USVI)
-30
-30
__—
06/10/2009
Federal Express, (USVI)
47
47
Check
06/26/2009
U.S. Postal Service
44
44
Credit Card C 07/09/2809
Federal Express, (USVI)
16
16
Credit Card C 07/09/2039
Federal Express. (USVI)
36
36
Credit Card C 07/14/2009
Federal Express, (USVQ
89
89
Deposit
07/30/2009
Cede R. de JOrbil
-28
-28
Check
07/31/2009
U.S. Postal Service
22
22
Credit Card C 08/17/2009
Federal Express. (USVI)
28
28
Credit Card C 08/17/2009
Federal Express. (USVI)
20
20
Credit Card C 08/17/2009
Federal Express. (USW)
37
37
Deposit
08/26/2009 1598
Cecile R. de Jongh
-208
-208
Credit Card C 08/31/2009
Federal Express. (USVI)
32
32
Credit Card C 08/31/2009
Federal Express. (USVI)
236
236
Credit Card C 09/01/2009
Federal Express. (USA)
115
115
Credit Card C 09/17/2009
Federal Express. (USVI)
21
21
Credit Card C 09/17/2009
Federal Express. (USVI)
43
43
Credit Card C 10/09/2009
Federal Express. (USVI)
17
17
Credit Card C 10/09/2009
Federal Express, (USVI)
88
88
Deposit
10/13/2009
Jeanne Brennan Wiebracht
-21
-21
Credit Card C 1022/2009
Federal Express. (USVI)
38
38
Credit Card C 10/22/2009
Federal Express. (USVI)
17
17
Check
10/30/2009
United States Postal service
66
66
Credit Card C 11/13/2009
Federal Express, (USVI)
53
53
Credit Card C 11/13/2009
Federal Express, (USVI)
24
24
Deposit
11/25/2009 1636
Cecile R de Jongh
-17
-17
Credit Card C 11/302009
Federal Express, (USVI)
47
47
Credit Card C 12/04/2009
Federal Express, (USVI)
26
25
Total 50190 • Postage.DelNery.Express Mail
Credit Card C 12/04/2009
Federal Express, (USVI)
17
0
17
2,284
o
0
2.284
Line 19 statement 2
50200 • Travel (Transportation exp)
50210 . Local Transportation
Check
01/01/2009
Loretta McDonald Morrell
125
125
EFTA00725880
FTC
Expenditures EDC Annual report 2009
Tyco
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Check
02/02/2009
Loretta McDonald fv1orrell
125
125
Check
03/02/2009
Loretta McDonald Morrell
125
125
Check
04/02/2009
Loretta McDonald Morrell
125
125
Check
05/04/2009
Loretta McDonald Morrell
126
125
Check
05/19/2009
Loretta McDonald Morrell
125
125
Check
06262009 3463
Loretta McDonald Morrell
125
125
Check
Check
08/04/2009
09/02/2009
Loretta McDonald Morrell
126
125
Loretta McDonald Morrell
125
125
Check
10/02/2009
Loretta McDonald Morrell
125
125
Check
11/04/2009
Jermalne A. Roan
10
10
Check
11/08/2009
Loretta McDonald Morrell
125
125
Check
11/17/2009
Airport Parking
2
2
Check
12/03/2009
Loretta McDonald Morrell
125
125
Total 50210. Local Transportation
1,512
0
1,612
0
0
0
60219. Park ng & Mist.
Check
01$38/2009 3408
American Yacht Harbor
500
500
Credit Card C 02/18/2009
American Yacht Harbor
500
500
Credit Card C 03e20/2009
American Yacht Harbor
600
500
Credit Card C 04/20/2039
American Yacht Harbor
600
500
Check
04/23/2009
Parking
2
2
Check
04/27/2009
Parking
4
4
Credit Card C 05/22/2009
American Yacht Harbor
100
100
Credit Card C 06/19/2009
American Yacht Harbor
500
500
500
Credit Card C 07/09/2009
American Yacht Harbor
500
Credit Card C 08/17/2009
American Yacht Harbor
500
500
Credit Card C 09/17/2009
American Yacht Harbor
600
500
Credit Card C 10/14/2009
American Yacht Harbor
300
300
Credit Card C 11/20/2009
American Yacht Harbor
300
300
Credit Card C 12/08/2009
American Yacht Harbor
300
300
Total 50219 - Parking & Misc.
5,008
0
5,006
0
0
0
Total 5.0200 • Travel (Transportation exp)
I
6,518
o
6,518
o
0 Line 19 statement 2
50170 • Business expense
I
Credit Card C 06/10/2009
St. Thomas-St. John Chamber of Corn
3,000
3,000
Total 50170 . Business expense
3,000
0
3,000
0
0
0
80250. Office Supply & Expense (Office supplies & expenses)
Credit Card C 01/06/2009
Office Max
76
76
Check
01/12/2009
La Providence Laundromat
3
3
Check
01/13/2009
The Draughting Shalt
5
5
64.
EFTA00725881
FTC
Expenditures EDC Annual report 2009
?Ye*
Dale
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Check
01/13/2009
PC Paradise, Inc.
25
25
Check
01/15/2009
Chelsea Drug Store
3
3
Deposit
02103/2009
-91
-VI
Check
02/05/2009 3421
Edward E. LeBron, Sr.
0
0
Check
02052009 3422
LeBron & Associates Consulting Servk
150
150
Check
02/18/2009 3426
Express Press
169
169
Check
02/27/2009 3432
Express Press
226
225
Credit Card C 03/05/2009
Tax Materials Inc.
90
90
Credit Card C 03/05/2009
Office Max
231
231
Credit Card C 03/05/2009
Amaon.Com
53
53
Credit Card C 03/06/2009
Office Max
241
241
Credit Card C 03/06/2009
Intuit 'CB Payroll
378
378
Credit Card C 03/06/2009
Office Max
167
157
Credit Card C 03/06/2009
VIP Awards & Engraving
330
330
Check
03/12/2009 3437
PC Paradise, Inc.
25
25
Check
03/12/2009
K-Mart
17
17
Check
03/262009
K-Mart
45
45
Credit Card C 04/03/2009
Cost-U.Less
291
291
Check
04/16/2009 3446
Executive Office Equipment
788
788
Check
04/23/2009
La Providence Landrum&
7
7
Check
05/19/2009 3453
PC Paradise, Inc.
30
30
Credit Card C 0512O2009
Executive Office Equipment
728
728
Credit Card C
Credit Card C
05/2W2009
05/20/2009
Intuit
145
145
Office Max
311
311
Check
08/01/2009
Ace Hardware
8
8
Check
06/15/2009
Office Max
47
47
Check
06/18/2009
K-Man
4
4
Check
06/18/2009
Office Max
106
108
Check
08/19/2009
Chelsea Drug Store
7
7
Check
06/19/2009
East End Flower Shop
55
55
Check
06/26/2009
K-Marl
8
8
Check
07/06/2009
Food Center
19
19
Check
07/14/2009
Red Hook Ace
7
7
Check
07/31/2009
Blade & Key Center
8
8
Check
08/03/2009
Blade & Key Center
5
5
Check
08/04/2009 3473
Universal Business Supplies
286
286
Credit Card C 08/11/2009
Executive Office Equipment
388
388
Check
08/17/2009
Office Max
115
115
Credit Card C 08/18/2009
PC Paradise. Inc.
280
280
Credit Card C 08/18/2009
PC Paradise, Inc.
30
30
Check
08/202009
La Providence Laundromat
15
15
Check
08/20/2009
Red Hook Ace
20
20
61
EFTA00725882
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
,
Total
Tax return Nne
Check
09/02/2009
K•Marl
18
18
Check
09/03/2009
Red Hook Ace
38
38
Check
09/08/2009
Blade & Key Center
8
8
Check
09/21/2009
Red Hook Ace
6
5
Check
09/21/2009
Red Hook Ace
58
58
Check
10/08/2009 3488
Alfonso's Fire Safely
85
85
Credit Card C.‘
10/13/2009
Office Max
383
38,3
Check
10/15/2009
Chelsea Drug Store
18
18
—I
Credit Card C 10/15/2009
East End Flower Shop
35
35
Check
10/21/2009
Sandra Office Service
5
5
Check
10/21/2009
Food Center
24
24
Check
10/31/2009
_
13
13
Check
11103/2009 3511
Jackson Cleaning Services, LLC
760
750
Check
11105/2009
La Providence Laundromat
7
7
Credt Card C 11/13/2009
Island Business Graphics
217
217
_____ _
Credit Card C 11/17/2009
Office Max
132
132
Credit Card C 11/17/2009
Cost-U-Less
228
228
Check
11/30/2009
26
25
Check
11/30/2009
Red Hook Ace
30
30
Credit Card C 12/01/2009
PC Paradise, Inc.
160
150
Credil Card C 12/01)2009
Sprintpcs
100
100
Check
12/02/2009
Chelsea Drug Store
38
36
Credit Card C 12/07/2009
Executive Office Equipment
776
776
Credit Card C 12/08/2009
Tax Materials Inc.
es
65
Check
12/18/2009
K-Man
19
19
Credit Card C 12/21/2009
TCD-TTA- Research & CPE
75
75
Check
12/30/2009
La Providence Laundromat
19
19
Check
12/30/2009
Red Hook Ace
14
14
Check
12/30/2009
13
13
Total 50250 • Office Simply & Expense (Office supplies & expenses)
9,185
3,709
4,671
808
0
-0
50255 • Kitchen Supplies
Check
341
01/06/2009 3403
Marina Markel
341
Check
01/06/2009 3404
Cost-U-Less
304
304
Check
01/12/2009 3411
Virgin Beverages, Inc.
39
39
Check
02404/2009
Island Marine Outfitters
6
6
Credit Card C 02/10/2009
Marina Market
407
407
Deposit
02/18/2009
Ann M. Rodriguez
-3
-3
Check
0328/2009
Food Center
8
8
Deposit
03/26/2009
04/02/2009
4
4
Check
3438
Virgin Beverages. Inc.
62
52
Credit Card C 04/03/2009
Cost-U-Less
277
277
Credit Card C 04/08/2009
Marina Markel
346
346
EFTA00725883
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Deposit
04/28/2009
•18
-18
Check
051042009
Cost-U-Less
22
22
Deposit
05/19/2009
Mn M. Rodriguez
-9
-9
Check
06/02/2009 3457
Virgin Beverages, Inc
85
85
Credit Card C 06/25/2009
Cost-U-Less
170
170
Crest Card C 06/25/2009
Cost-U-Less
189
189
Credit Card C
Credit Card C
06/25/2009
Cost-U-Less
238
238
06/25/2009
Cost-U-Less
152
152
Check
07/14/2009 3465
Virgin Beverages, Inc.
33
33
Check
07/27/2009
Maestri Market
4
4
Deposit
0810412009
Mn M. Rodriguez
-11
-11
Credit Card C 0917/2009
Marina Market
321
321
Credit Card C 08/17/2009
Marina Market
382
382
Credit Card C 08/17/2009
Marina Market
358
358
Credit Card C
Credit Card C
08/17/2009
08/17/2009
Marina Market
398
396
Marina Market
279
279
Credit Card C 09/17/2009
Marina Market
317
317
Credit Card C 09/22/2009
Cosl-U-Less
136
136
Check
10/06/2009 3487
Virgin Beverages, Inc.
62
52
Credit Card C 10/16/2009
Marina Markel
256
256
Credit Card C 11/17/2009
Cost-U-Less
232
232
Credit Card C 11/17/2009
K-Mart
260
260
Credit Card C 11/17/2009
Cost-U-Less
261
261
Credit Card C 11/17/2009
Cosl-U-Less
292
292
Credit Card C 11/24/2009
Marina Market
214
214
Credit Card C 12/15/2009
Marina Market
276
276
Deposit
12/22/2009
Daphne L. Wallace
-7
-7
Total 50255 • Krichen Suppl es
0854
0
6,854
0
0
0
54959 - Other Miscellaneous
Check
05/09/2009
Kyle Steward
40
40
Check
05/09/2009
Mallard Rodriguez
40
40
Check
0923/2009
Mmaud Rodriquez
20
20
Check
12/302009
Ahrnaud Rodriguez
29
29
Total 54959 • Other Miscellaneous
129
0
129
0
0
&MAW
50400 • Professional
18.969
3,709
14,454
806
0
2
Une 19 statement
50402 - Accounting Fess
Check
05/14/2039 3189
George V. Deleon AssoCiateS
66.078
65,078
6,
EFTA00725884
FTC
Expenditures EDC Annual report 2009
I
Type
Dale
Num
Name
Amount
Eligible
VI
Non•Local
Total
Tax return line
Total 50402 • Accounting Fees
65.078
0
0
65,078
0
50404 • Other
Check
10/06/2009 3491
Daphne L. Wallace
504
504
Total 50404 . Other
504
0
504
0
0
60410 • Legal Fees
Check
01/07/2009 3406
Law Offices of Hodge & Francois
1,400
1,400
Check
01/13/2009 3412
Law Offices of Hodge & Francois
0
0
Check
02/18/2009 3425
Law Offices of Hodge & Francois
6.550
6,550
Check
02/18/2009 3425
Law Offices of Hodge & Francc4s
2.850
2,650
Check
03105/2009 3433
Law Offices of Hodge & Francois
4.468
4,468
Check
03/10/2009 3434
Law Offices of Hodge & Francois
4.478
4,478
Check
03/16/2009 EFT
Kirkland & Ellis LLP
12,635
12,635
Check
03/312009 take
3443
Storch Mini & Minims, P.C.
25,000
25,000
Check
04/02/2009
Law Offices of Hodge & Francois
105
105
Check
04/24/2009 3448
Law Offices of Hodge & Francois
323
323
Check
05/27/2009 EFT
Law Office of Join K. Dern, P.C.
25,000
25,000
Check
06/01/2009 3456
Law Offices of Hodge & Francois
6
6
Check
06/01/2009 3456
Law Off ices of Hodge & Francois
700
700
Check
06/01/2009 3456
Law Offices of Hodge & Francois
805
805
Check
07/06/2009 3471
Law Offices of Hodge & Francois
1,248
1,248
Check
07/21/2009 3489
Law Offices of Hodge & Francois
75
75
Check
07/29/2009 EFT
Kindand & Ellis LLP
217,498
217,498
Check
08/11/2009 3481
Law Offices of Hodge & Francois
140
140
Check
08h3/2009 Wire
Susman Godfrey LLP
25,000
25,000
Check
10/06/2009 3486
Law Offices of Hodge & Francois
1.385
1,365
Check
10/06/2009 3489
Law Offices of Hodge & Francois
57
57
Check
10/06/2009 2
Law Office of John K. Coma, P.C.
25.000
25,000
Check
10/202009 3500
Law Offices of Hodge & Francois
70
70
Check
11/10,2009 Wire
Susman Godfrey LLP
37498
37,096
Check
12/08/2009 4
Law Office of John K. Data, P.C.
40.000
40,000
Told 50400 -
51150 • Rent
Total 50410 •
Professional
(Office Rent)
Legal Fees
431.867
497,449
0
0
114,639
115,143
317,228
382,306
0
o Line 19 statement 2
51152 • Rent
Check
01/08/2009 3408
American Yacht Harbor
6,629
6,629
Credit Card C 02/18/2009
American Yacht Harbor
6,629
6,629
Credit Card C 03/202009
American Yacht Harbor
8,629
6,629
Credit Card C 04/20/2009
American Yacht Harbor
8629
6,629
Credit Card C
Credit Card C
05=2009
American Yacht Harbor
851
851
06/19/2009
American Yacht Harbor
8,629
6,629
Credit Card C 07/09/2009
American Yacht Harbor
6,629
6,629
Credit Card C, 08/17/2009
American Yacht Harbor
8629
6,629
6/d
EFTA00725885
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Credit Card C 09/17/2009
American Yacht Harbor
6,829
6,629
Credit Card C 10/14/2009
American Yacht Harbor
8,829
6,629
Credit Card C 11/20/2009
American Yacht Harbor
8,829
6,629
Credit Card C 12108/2009
American Yacht Harbor
6,829
6,629
Total 61162 • Rent
73,771
0
73,771
0
0
51154 • CAM (Common Area Maintenance)
Check
01/08/2009 3408
American Yacht Harbor
1,517
1,517
Credit Card C 02/18/2009
American Yacht Harbor
1,617
1,517
Credit Card C 02/18/2039
American Yacht Harbor
233
233
Credit Card C 02/18/2009
American Yacht Harbor
233
233
Credit Card C 03/20/2009
American Yacht Harbor
1,617
1,517
Credit Card C 03/20/2009
American Yacht Harbor
233
233
Credit Card C 04/20/2009
American Yacht Harbor
1,750
1,750
Credit Card C 06/22/2009
American Yacht Harbor
758
756
Credit Card C 08/19/2009
American Yacht Harbor
1,750
1,750
Credit Card C 07/09/2009
American Yacht Harbor
1,750
1,750
Credit Card C 08117/2009
American Yacht Harbor
1,750
1,750
Credit Card C 09/17/2009
American Yacht Harbor
1,750
1,750
Credit Card C 10/14/2009
American Yacht Harbor
1,760
1,750
Credit Card C 11/20/2009
American Yacht Harbor
1,750
1,750
Credit Card C 12/0812009
American Yacht Harbor
1,760
1,750
Total 51150 •
51280 • Adve
Total 51154 . CAM (Common
Rent (Office Rent)
Using
Area Maintenance)
20,006
0
20,008
0
0
93,779
0
93,779
0
0 Une 11
I
Check
01/18/2009 3416
Virgin Islands Source
275
275
Credit Card C 04/16/2009
The Virgin Islands Daily News
476
476
Check
08/04/2009 3474
Virgin Islands Source
275
275
Total 51260 -
61300 • EDC/
Advertising
IDC -Co•op Marketing Fee
Credit Card C 08/07/2009
The Virgin Islands Daily Neva
773
0
773
1,798
0
0
1,798
Une 16
61301 • Co - Op Marketing gee
I
'Chad(
10/23/2009 3700
Economic Development Commission
12,600
12,500
Total 61301 • Co - Op Marketing gee
12.500
12,600
0
0
0
51305 • Annual Compliance Fee
I
(Check
01/16/2009 3414
Economic Development Commission
1.500
1,500
Total 51305. Ammal Compliance Fee
1,500
1,500
0
0
0
51308 • EDC renewal expense
I
(Check
01/09/2009 3188
Economic Development Commission
6,000
5,000
Total 51300 •
53000 • Utilities
Total 51306 - EDC renews expense
EDC/ IDC -Co-op Marketing Fee
(Water, Gas, Electric) I
5,000
6,000
0
0
0
19,000
19,000
0
0
0 Une 19 statement 2
153002 • Electric (Gas and Electricity)
g•
EFTA00725886
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Check
01/08/2C09 3408
American Yacht Harbor
562
562
Check
01108/2009 3406
American Yacht Harbor
25
25
Credit Card C 02/18/2009
American Yacht Harbor
25
25
Credit Card C 02/18/2009
American Yacht Harbor
414
414
Credit Card C 03/20/2009
American Yacht Harbor
25
25
Credit Card C 03/20/2009
American Yacht Harbor
411
411
Credit Card C 04/20/2009
04/20/2009
American Yacht Harbor
25
25
Credit Card C
American Yacht Harbor
341
341
Credit Card c,, 05/22/2009
American Yacht Harbor
35
35
Credit Card C 05/22/2009
American Yacht Harbor
374
374
Credit Card C 06/19/2009
American Yacht Harbor
25
25
Credit Card C 06//19/2009
American Yacht Harbor
352
352
Credit Card C 07/09/2009
American Yacht Harbor
25
25
Credit Card C 07/09/2009
American Yacht Harbor
474
474
Credit Card C
Credit Card C
08/17/2009
08/17/2009
American Yacht Harbor
25
25
American Yacht Harbor
607
607
Credit Card C 09/17/2009
American Yacht Harbor
25
25
Credit Card C 09117/2009
American Yacht Harbor
706
706
Credit Card C 10/14/2009
American Yacht Harbor
25
25
Credit Card C 10/142009
American Yacht Harbor
833
633
Credit Card C 11/20/2009
American Yacht Harbor
25
25
Credit Card C 11/20/2009
American Yacht Harbor
692
692
Credit Card C
Credit Card C
12/08/2009
American Yacht Harbor
25
25
12/08/2009
American Yacht Harbor
659
659
Total 53002 • Electric (Gas and Electricity)
8,535
0
6,535
53004 • Water (Water)
Check
01/08/2009 3408
American Yacht Harbor
227
227
Credit Card C 02/18/2009
American Yacht Harbor
479
479
Credit Card
03/20/2009
American Yacht Harbor
501
501
Credit Card C 04/20/2009
American Yacht Harbor
153
153
Credit CardC 05/22/2009
American Yacht Harbor
239
239
Credit Card C
06/19/2009
American Yacht Harbor
149
149
Credit Card C 07/09/2009
American Yacht Harbor
191
191
Credit Card C 08/17/2009
American Yacht Harbor
151
151
Credit Card C 09/17/2009
American Yacht Harbor
72
72
Credit Card C 10/14/2009
American Yacht Harbor
234
234
Credit Card C 11/20/2009
American Yacht Harbor
95
95
Credit Card C 12/08/2009
American Yacht Harbor
5
5
Total 53004 • Water (Wate
2,493
0
2.493
53008 • Telephone (Telephone Expense
Check
01/06/2009 3402
Innovative Telephone
70
70
Check
01/06/2009 3402
Innovative Telephone
70
70
EFTA00725887
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return Nne
Check
01/06/2009 3402
Innovative Telephone
70
70
Check
01/06/2009 3402
Innovative Telephone
F
r
813
813
Check
01/08/2009 3407
AT&T
120
120
Paycheck
01/16/2009 EFT
JenneIna A. Ruan
I
•75
-75
Paycheck
01/30/2009 EFT
Jennaine A. Ruan
76
75
Credit Card C 02/10/2009
AT&T
122
122
Credit Card C
Credit Card C
02/13/2009
02/13/2009
Innovative Telephone
Innovative Telephone
479
70
479
70
___
Credit Card C 02/13/2009
Innovative Telephone
70
70
Credit Card C 02/13/2009
Innovative Telephone
70
70
Credit Card C 03/03/2009
Innovative Telephone
668
666
Credit Card C 03/03/2009
Innovative Telephone
70
70
Credit Card C 03/03/2009
Innovative Telephone
70
70
Credit Card C 03/03/2009
Innovative Telephone
70
70
Credit Card C 04/15/2009
AT&T
130
130
Credit Card C 04/15/2009
Innovative Telephone
1080
1,180
Credit Card C 04/15/2009
Innovative Telephone
70
70
Credit Card C 04/15/2009
Innovative Telephone
70
70
Credit Card C 04/15=09
Innovative Telephone
70
70
Credit Card C 04/20/2009
AT&T
139
139
Credit Card C 05/18/2009
Innovative Telephone
584
584
Credit Card C 06/18/2009
Innovative Telephone
70
70
Credit Card C 05/18/2009
Innovative Telephone
70
70
Credit Card C 05/18/2009
Innovative Telephone
70
70
Credit Card C 05/22/2009
AT&T
177
177
Credit Card C 06/11/2009
Innovative Telephone
-425
-425
Credit Card C 08111/2009
Innovative Telephone
671
671
Credit Card C 06/11/2009
Innovative Telephone
70
70
Credit Card C 06/11/2009
Innovative Telephone
70
70
Credo Card C 06/11/2009
Innovative Telephone
70
70
Credit Card C 07/06t2009
Innovative Telephone
670
670
Credo Card C 07/06/2009
Innovative Telephone
70
70
Credit Card C 07/06/2009
Innovative Telephone
70
70
Credit Card C 07/06/2009
Innovative Telephone
70
70
Credit Card C 07/09/2009
AT&T
189
189
Credit Card C 07/14/2009
AT&T
142
142
Paycheck
07/31/2009 EFT
Jermaine A. Ruan
•75
-75
Credit Card C 06/11/2009
AT&T
147
147
Credit Card C 08/14/2009
Innovative Telephone
669
669
Credit Card C 08/14/2009
Innovative Telephone
70
70
Credit Card C 08/14/2009
Innovative Telephone
70
70
Credit Card C 08/14/2009
Innovative Telephone
70
70
1313
EFTA00725888
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Paycheck
08/14/2009 EFT
Jermaine A. Ruan
-75
-75
_
Paycheck
08/28/2009 EFT
Jermaine A. Ruan
-76
-75
Paycheck
09/11/2009 EFT
Jermaine A. Ruan
-75
-75
Credit CardC 09/17/2009
AT&T
168
168
Credit Card C 09/17/2009
Innovative Telephone
669
669
Credit Card C 09/17/2009
Innovative Telephone
70
70
Credit Card C
Credit Card C
09/17/2009
09/17/2009
Innovative Telephone
Innovattve Telephone
70
70
70
70
Paycheck
09/25/2009 EFT
Jermaine A. Ruan
-0
-0
Credit Card C 10/16/2009
Innovative Telephone
666
666
Credit Card C 10/16/2009
Innovative Telephone
70
70
Credit Card C 10/16/2009
Innovative Telephone
70
70
Credit Card C 10/16/2009
Innovative Telephone
70
70
Credit CardC 10/162009
AT&T
197
197
Paycheck
16123/2009 EFT
Jermalne A. Ruan
-75
-75
Paycheck
11/06/2009 EFT
Jermaine A. Ruan
-75
-75
Credit Card0 11/13/2009
Innovative Telephone
669
669
Credit CardC 11/13/2009
Innovative Telephone
70
70
Credit Card C 11/13/2009
Innovative Telephone
70
70
Credit Card C 11/13/2009
Innovative Telephone
70
70
Credit CardC 11/20/2009
AT&T
162
162
Paycheck
11/20/2009 EFT
Jermaine A. Ruan
-75
-75
Deposit
12,02/2009
Mn M. Rodriguez
-se
-58
Paycheck
12/04/2009 EFT
Jermaine A. Ruan
-75
-75
Credit Card C 12/14/2009
Innovative Telephone
665
665
Credit Card C 12/14/2009
Innovative Telephone
70
70
Credit Card C 12/14/2009
Innovative Telephone
70
70
Credit Card C 12/14/2009
Innovative Telephone
70
70
Credit CardC 12/15/2009
AT&T
106
106
Paycheck
12/18/2009 EFT
Jermaine A. Ruan
-75
-75
Credit Card C 12/21/2009
AT & T Mobility
370
370
Paycheck
12/30/2009 EFT
Jermaine A. Ruan
-75
-75
Total 53008 • Telephone (Telephone Evens.)
11,851
0
11,851
0
0
53009 • T-1 lines
Check
02/04/2000 3424
Sprint
1,381
1,381
Check
02/27/2009 3430
Sprint
1,381
1,381
Check
04/02/2009 3440
Sprint
1,381
1,381
Check
04/20/2009 3446
Sprint
1,381
1,381
Check
Check
05/19/2009
_
. . ...
06/22/2009
3451
3461
Sprint
1,381
1,381
Sprint
1,381
1,381
Credit CardC 07/14/2009
Sprint
1,381
1,381
Credit Crud C 07/14/2000
Spent
-115
-115
Big
EFTA00725889
FTC
Expenditures EDC Annual report 2009
Type
Date
Num
Name
Amount
Eligible
VI
Non-Local
Total
Tax return line
Credit Card C 08/31/2009
Sprint
1,381
1,381
Credit Card C 10/22/2009
Sprint
1,381
1,381
Credit Card C 10/22/2009
Sprint
1,381
1,381
Credit Card C 11/24/2009
Sprint
1,381
1,381
Total 53000 •
54950 • Misc
Total 53009 •
Utilities (Water,
(Miscellaneous)
54952 • Bank
T-1 lines
Gas, Electric)
Charge (Bank Chap)
15,074
0
15,074
0
0
35,952
0
35,952
0
0 line 19 statement 2
26,924
9,028
General Joun 01/01/2009
0
0
35,952
Check
01/06/2009 27
Merrill Lynch
300
300
Credit Card C 03/06/2009
FIA Card Service 5588-4691.0022.296
39
39
General Joan 03/10/2009
10
10
General Joun 03/17/2009
10
10
Credit Card C 04/03/2009
FIA Card Service 5588-4691-0022-295
-39
-39
Chock
Check
04/07/2009
04/29/2009
FEE
First Bank
First Bank
10
10
FEE
10
10
Check
05/04/2009 fee
First Bank
10
10
Check
05/18/2009 28
Merrill Lynch
30
30
Check
06/02/2009 FEE
First Bank
10
10
Check
06/03/2009 FEE
First Bank
10
10
Credit Card C 06/25/2009
FIA Card Service 5588-46914022-295
-1
-1
Check
06/29/2009 FEE
First Bank
10
10
Deposil
07/06/2009
-38
-38
Check
08/06/2009 FEE
First Bank
10
10
Check
08/24/2009 FEE
First Bank
10
10
Check
08/28/2009 FEE
First Bank
2
2
Check
08/28/2009 FEE
First Bank
0
0
Check
08/28/2009 FEE
First Bank
1
1
Chock
08/28/2009 FEE
First Bank
0
0
Check
08/28/2009
08/28/2009
08/28/2009
FEE
First Bank
10
10
Check
FEE
First Bank
10
10
Check
FEE
First Bank
1
1
Credit Card C 08/31/2009
FIA Card Service 5588-4691-0022-295
35
35
Check
0002/2009 FEE
First Bank
10
10
Check
09/29/2009 FEE
First Bank
10
10
Check
09/30/2009 FEE
First Bank
1
1
Check
09/30/2009 FEE
First Bank
10
10
Check
09/30/2009 FEE
First Bank
2
2
Check
09/30/2009 FEE
3
First Bank
JP Morgan
10
10
Cheek
1027/2009
13.606
13,606
Check
101312009
21
21
Deposit
11/02/2009
-13,606
-13,606
EFTA00725890
FTC
Expenditures EDC Annual report 2009
Type
I
Date
Num
Name
Amount
Eligible
VI
Non•Local
Total
Tax return line
Check
11/30/2009
21
21
Check
12/31/2009
21
21
Total 54952. Bank Charge (Bank Charge
554
0
554
0
0 Line 19 statement 2
54954 • Rubbish Removal
Check
01/08/2009 3408
American Yacht Harbor
50
50
Credit Card C 02/18/2009
American Yacht Harbor
50
50
Credit Card C
Credit Card C
03/20/2009
04/20/2009
American Yacht Harbor
50
50
50
50
American Yacht Harbor
Credit Card C 06/22/2009
American Yacht Harbor
0
0
Credit Card C 06/19/2009
American Yacht Harbor
50
50
Credit Card C 07/09/2009
American Yacht Harbor
50
50
Credit Card C 08/17/2009
American Yacht Harbor
50
50
Credit Card C 09/17/2039
American Yacht Harbor
50
50
Credit Card C 10/14/2009
American Yacht Harbor
50
50
Credit Card C 11/20/2039
American Yacht Harbor
50
50
50
Credit Card C 12/08/2009
American Yacht Harbor
60
Total 54954 • Rubbish Removal
550
0
550
0
0 Line 19 statement 2
50300. AutolAutomoblie Expenses)
50311 • Fuel (Auto Fuel)
Check
08/01/2009
Loretta McDonald Morrell
5
5
Total 50311 • Fuel (Auto Fuel)
5
0
5
0
0
50314 • Repairs & Maintenance (Repairs & Maintenance)
Check
02/13/2009
Splash & Dash
15
15
Check
04/27/2009
Splash & Dash
20
20
Check
05/27/2009
Splash & Dash
17
17
Check
10/13/2009
Motor Vehicle Bureau
25
25
Total 60314 • Repairs & Maintenance (Repairs & Maintenance)
77
0
77
0
0
Total 50300 • Auto (Automobile
54950 • MIsc
Expenses
(Miscellaneous)
82
0
82
0
o Line 19 statement 2
- Other
-0
General Jour 12/31/2009
-0
General Jour 12/31/2009
-0
-0
Total 54950
Total 54950. Misc (Miscellaneous)
Misc (Miscellaneous)
- Other
f
-o
0
-0
0
0
1.185
0
1,185
o
o Line 19 statement 2
708,058
28,869
294,112
387,077
0
708,058
1316
EFTA00725891
Tv- cod tsPbr
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EXTENSION ATTACHED
OFFICE COPY
..„•1120S
OvanoffotonneVener
UdeowlftaisaW*e
U.S. Income Tax Return for an S Corporation
* Do not fde this form unless the corporation has flied or Is
attaching Form 2653 to elect to be an S corporation.
P See separate instructions.
OMB No. l$45-0130
2009
PO( Ca en= year LIMY or faX year manning
any enoin9
As seam diSe dale
01/01/1999
ota
In
ilk.
"Ia'•
Name
FINANCIAL TRUST COMPANY, INC.
D Eanfoyw identification named
B Buenos wail coda
arancrow
Number, street. and room or suite no. OM. box see instructions.
6100 RED HOOKS QUARTERS SUITE 3B
11/6/1998
C Chute salM-3
attachod
MC
Inrests- City or town, state. and ZIP code
ST THOMAS VI,
00802
F Tote awns
in
(see structions)
5
314719222
G is the corporation electing to be an S corporation beginning whit this taxyear?
LJ Yes L f No
If 'Yes; attach Form 2553 if rice already filed
H Check It
(1)
Final return
(2)
Name change
(3) D Address change
(4)
Amended return
(5)
S election termination or revocation
I Enter the number of shareholders who were shareholders during any part of the taxyear
►
caUCI011. MOOD. any IMO. Or DU MSS In Come ano
nseson as
7a Inrieign (I ace toe friarUCTWS Mr !In
uuormaacn.
1
2
-
Gran MIMS
1a ,,,,
100000 I b las teu„,„,,, aro creel
IcBal► tc
,
rifiam
2 Cost of goods sold (ScheduleA One 8)
3 Gross profit. Subtract One 2 Iran line 1c
4
Net gain (loss) from Form 4797, Pettit fine 17 (attach Form 4797)
5 Other income (loss) (see instructions - attach statement)
Statement 1
6 Total Income (kest Add lines 3 through 5
PP.
2
100000
5
aiiiiiiialbe
6
-15200946
c.
i
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is
•
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t
:
at
-
g
t o
'0
0
7 Compensation of officers
8
Salaries and wages (less employment treats)
9
Repairs and maintenance
10 Bad debts
a
11 Rents
Pa 1 In
12 Taxes and fcenses
415%49
13
Interest
4.„0.(\t„
14 Depredation not claimed on Schedule A or elsewhere an return (attach Form 4562)
15 Depletion (Do not deduct a and gas depletion.)
16 Advertising
17
Pension. pmfit-sharing, etc, plans
18
Employee benefd programs
19 Other deductions (attach statement)
Statement 2
20 Total deductions. Add Ones 7 through 19
0.
21 Ordinary business income (loss). Subtract line 20 from One 6
Ate C 414430
/IV ' II,' 2 304281
9
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5736
10
i
11 ro "
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• C: 0
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14
29362
15
16
1798
17
15837
18
I biT Iffla)S3V 137439
19
649870
20
1703441
21
—16904387
Tax and Payments
22 a Excess net passive income or LIFO recapture tax (see instructions)
22a
tc
b Tax from Schedule 0 (Form 1120$)
22b
c Add lines 22a and 226 (see instil:crates rce national faxes)
23a 2009 estimated tax payments and 2008 overpayment credited to 2009
23a
ad
b Tax deposited vAth Form 7004
23b
o Credit for federal tax paid on fuels (attach Form 4136)
21e
d Add lines 23a through 23c
24 Estimated tax penalty (see instructions). Check if Form 2220 is attached
►Q
25 Amount owed. If One 23d is smaller than the total of lines 22c and 24, enter amount owed
26
Overpayment If line 23d is larger than the total of lines 22c and 24, enter arnount overpaid
27 Enter amount from fine 26 Credited to 2010 estimated tax *
Refunded *
74
25
26
27
n
Hee
UK* ening of *cloy. I *dare Mantra eurrinal tit ma
inesuctew •OCCOOM)1119 Idtralliff ono earturst end to the wader. imam** am taist. it 4 me. correa. :Ad
temples Oecitrakn of prepare* (*1st then Unipayen it Weed on en :Initial of .Moor ornate het any knowledge
I
May V* OtSriscuis Ilinturn with
UM Veen' atom 1:460. 0.11
Xatafaienn1 X Yes
No
Signature
Otter
Tide
of
Preparers
(Si geweeg V.
Paid
anneal*
Date
413110
Clunk gulf-
Pr•Pares SSW 0 r PTIN
eaaple
George V. Deleon Associates
Preparer's rim%
mr
mem 0 .
Use Only
yours if stif„
pbodx
885 2nd Avenue 26th P1
address. and 2IP code
NYC, NY
10017
phone •
For Privacy Act and Paperwork Reduction Act Notice, see separate Instructions.
JSA
9C14104.010
Font 1120S (2009)
A C
EFTA00725892
Form 11205 (2009)
Schedule A
1 Inventory at beginning of year
2 Purchases
3 Cost of labor
4 Additional section 263A costs (attach statement)
5 Other costs (attach statement)
6 Total. Add lines 1 through 5
7 Inventory at end of year
8 Cost of goods sold. Subtract line 7 from line 6. Enter here and on page 1, Ina 2
9a CheAall methods used for valuing closing inventory.
(fi K
Cost as described in Regulations section 1.471-3
(ii)
Lower of cost or market as described In Regulations section 1.4714
(HO_ Other (Specify method used and attach explanation.) ►
b Check if there was a writedown of subnormal goods as described in Regulations section 1.471.2(c)
c Check if the LIFO inventory method was adopted this tax year for any goods (if checked, attach Form 970)
d If the LEO inventory method was used for this tax year, enter percentage (or amounts) of closing
inventory computed under LIFO
I ad I
a If property is produced or acquired for resale, do the rules of section 263A apply to the corporation?
H Yes H No
f Was there any change in determining quantities, cost, or valuations between opening and dosing inventory?,
Yes
No
Page 2
Cost of Goods Sold (see instructions)
1
2
3
4
5
6
7
8
If "Yes•• attach wvlanation
Schedule B
Other Information (see instructions)
Yes No
1
2
3
4
5
6
7
8
stock
name
StElnt
on
in the
the
gain
of a domestic
and employer
3
any reportable
Check accounting method:
a EI Cash
b K
Accrual
c K
Other (specify) Iii.
See the instructions and enter the:
a Business samty),. Financial services
b Product
At the end of the tax year. did the corporation own, directly or indirectly,
corporation? (For rules of attnbution, see section 267(c).) If "Yes; attach
identification number (EIN), (b) percentage owned, and (c) if 100% owned,
Ras this corporation filed, or Is it required to file, a return under section
transaction?
Check this box if the corporation issued publicly offered debt instruments
if checked, the corporation may have to file Form 8281, Information
Instruments.
If the corporation: (a) was a C corporation before it elected to be
asset with a basis determined by reference to its basis (or the
C corporation and (b) has net unrealized built-in gain (defined in section
built-in gain from prior years, enter the net unrealized but-in gain
years
Enter the accumulated earnings and profits of the corporation at the
Are the corporation's total receipts (see instructions) for the tax year
than $250,000? If "Yes." the corporation is not required to complete
or „ Nee i. Pinanci.al services
50% or more of the voting
a statement showing: (a)
was a C1Stiti election made?
6111 to provide information
with original Issue discount
Return for Publicly Offered Original
an S corporation or the corporation
basis of any other property)
1374(d)(1)) in 'mess of
reduced by net recognized built-in
to• $
end of the tax year.
$
X
lo-
Issue Discount
acquired an
hands of a
net recognized
from prior
and its total assets at the end of the tax year less
Schedules L and M-1
Shareholders' Pro Rata Share Items
Total amount
I
Income (Loss)
1
Ordinary business income (loss) (page 1, line 21)
2
Net rental real estate income (loss) (attach Form 8825)
3 a Other gross rental income (loss)
b Expenses from other rental activities (attach statement)
c Other net rental income (loss). Subtract line 3b from be 3a
4
Interest Income
5
Dividends: a Ordinary dividends
b Qualified dividends
6
Royalties
7
Net short-term capital gain (loss) (*Mach Schedule 0 (Perm 1120S))
8 a Net long-term capital gain (loss) (attach Schedule 0 (Form 11205)
b Collectibles (28%) gain (loss)
c Untecaptured section 1250 gain (attach stahment)
9
Net section 1231 gain (loss) (attach. Form 4797)
10
Other income (loss) (see instructions)
Type*
1
-16904387
Sc
I 3b
15b I
39967
4
gegifSigg
Sa
50,22199
6
%
ass
8b I
7
S
8e
Se
See Statement 4
10
mini iYii
Fenn 1120S (2009)
622,35
921<20 2 000
EFTA00725893
FOrni 1120.5 2009
Deductions
Shareholders' Pro Rata Share Items (continued)
74m1 amount
11
Section 179 deduction (attach Form 4562)
12a Contributions
Statement 5
b Investment Interest expense
c Section 59(e)(2) expenditures
(1) Type ki•
(2)Amount po.
d Other deductions (see instructions) . . Type I.
11
12.
41084
in
1739469
124(2)
12d
Credits
13 a low-income housing credit (section 428)(5))
b low-income housing credit (other)
c Qualified rehabilitation expenditures (rental real estate) (attach Forte 3466)
d Other rental real estate credits (see instructions) :
Type I.
13a
in
13e
13d
• Other rental credits (see instructions)
Type P.
13*
f Alcohol and cellulosic biofuels fuels credit (attach F01771 6478)
g Other credits (see instructions)
Type ki•
131
13g
Foreign Transactions
14a Name of country or U.S. possession jjj. various
b Gross income from al sources
o Gross income sourced at shareholder level
14b
1557925
14c
Foreign gross income sourced at corporate level
d Passive category
.
14d
1048023
e General category
•
f Other (attach statement)
14a
30192
141
Deductions allocated and apportioned at shareholder level
g Interest muse
b Other
14g
14b
Deductions allocated and apportioned at corporate level to foreign scare income
i Passive category
141
1159
J General category
k Other (attach statement)
14j
6323
14k
Other infonnatbn
I Total foreign taxes (check one): I. X Paid
X Accrued
141
219469
m Reduction in taxes available for credit (attach statement)
n Other foreign tax information (attach statement)
14m
Alternative
Minimum Tax
(AMT) Items
15a Post-1988 depreciation atustment
b Adjusted gain or loss
c Depletion (other than col and gas)
d Oil, gas, and geothermal properties-gross Income
e Oil, gas, and geothermal properties-deductions
f Other ANT items (attach statement)
14*
141
16b
15e
16d
16
151
Items Affecting
Shareholder
Basis
16a Tax-exempt interest income
b Other tax-exempt income
lea
7
10
o Nondeductible expenses
Statement 6
lee
15524
d Property distributions
o Repayment of loans from shareholder*
lid
17312000
15*
Other
Information
17 a Investment income
b Investment menses
c Dividend distributions paid from accumulated earnings 3.4 profits
d Other items and amounts (attach statement)
17a
9155812
17b
17*
t 5Li
c -a
18
Income/loss reconciliation. Combine the amounts on lines 1 through 10 in the far right
column. From the result, subtract the sum of the amounts on lines 11 through 120 and 141
18
—20550706
Pi 3
-
•
•
_
•
•
•
•
•
JSA
SC1•301000
es tines- init„c3
ISS
meal 5O%
q,-is14
e.
3 (AS
I;) on - dam)
I 1, sit 4'
Ren1120S (2009)
ODS6biz2.4
EFTA00725894
Financial T
om an Inc.
Page 1
EIN:
2009 Form 1120S
Statement 1
Form 1120S, Line 5
Other Income
K-1 Prentice Partners
K-1 AP Technology
K-1 Tudor Funding
K-1 Liquid Funding
K-1 Highbridgeavim
K-1 ML Hertz
K-1 CitiGroup HedgeForum
K-1 BS Asset Backed Sec. LP
K-1 BS Asset Backed Sec. LP '08 adjustment
K-1 AP SHL
$
-1618713
18938
-355079
969
-13302334
88
-15163
-31558
2106
-200
Total $ -15300946
Statement 2
Form 1120S, Line 19
Other Deductions
Bank Charges
Continuing Professional Education
Dues and Subscriptions
Fees & Licenses
Insurance
Meals and Entertainment Expense
Miscellaneous expense
Office Expense
Postage & Shipping
Professional Fees
Rubbish Removal
Telephone
Travel & Related Expenses
Tuition Assistance
Utilities
45zo-89S
554C)
1327 tx
1415 ‘,
19000 C 1-
11 , y5,,"
it19082
pY—
otc. 2156 ig
820;
300oL 9111b ttk5.4 3 h21 18968th'
2284 Olt
L GSJ0ii4"131,S tie/
497449k(
550-
I II %So rism3 26924
%I2:-sobs
6518p.1
44533 Nt.
vbis
1.441. 9028D
Total $
649870
CC) r RiS AE
2%, 452 AF.
EFTA00725895
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